Hello,
Please excuse me if this has been tread - I've found some relevant answers already but I'm trying to evaluate the software (though, I think I've already decided it's a YES!) and need some assistance in getting things set-up to properly reflect our client situation.
In the current time tracking/invoicing tool we're using (freshbooks.com) - we manage our monthly contracts by creating items to reflect our different offerings:
Hosted Exchange is an item
RemoteBackup is an item
Monthly Service is an item and so on...
We have created custom items for each client that reflects their current pricing for that service/product.
For most of our contracts we also provide a default number of hours each month - beyond which we charge for the additional hours. So a customer may have 3 hours prepaid - and then we begin billing beyond the fixed Monthly Service Fee.
At the end of the month we run a report which generates an invoice based on a timeframe (usually the last month)
THis report pulls all hours billed during that month to which we add in the apporpriate products above.
In the end of this process we have create an invoice which includes the associated products (monthly recurring fees) and all labor done to which we apply a credit that handles the prepaid hours.
If you're still with me - thank you! What I'm trying to ascertain is how we can map this current process toCommitCRM.
I'm assuming we'd create a base contract - say -a one year Global.
Then at the end of each month we'd simply run a charges report - pull all the tracked support hours - add charges for the services/products per client (as above) and then export to Quickbooks?
Does this sounds plausible?
I'm looking for suggestions here on the optimal way to make this work.
Thanks in advance!
Joe-
Please excuse me if this has been tread - I've found some relevant answers already but I'm trying to evaluate the software (though, I think I've already decided it's a YES!) and need some assistance in getting things set-up to properly reflect our client situation.
In the current time tracking/invoicing tool we're using (freshbooks.com) - we manage our monthly contracts by creating items to reflect our different offerings:
Hosted Exchange is an item
RemoteBackup is an item
Monthly Service is an item and so on...
We have created custom items for each client that reflects their current pricing for that service/product.
For most of our contracts we also provide a default number of hours each month - beyond which we charge for the additional hours. So a customer may have 3 hours prepaid - and then we begin billing beyond the fixed Monthly Service Fee.
At the end of the month we run a report which generates an invoice based on a timeframe (usually the last month)
THis report pulls all hours billed during that month to which we add in the apporpriate products above.
In the end of this process we have create an invoice which includes the associated products (monthly recurring fees) and all labor done to which we apply a credit that handles the prepaid hours.
If you're still with me - thank you! What I'm trying to ascertain is how we can map this current process toCommitCRM.
I'm assuming we'd create a base contract - say -a one year Global.
Then at the end of each month we'd simply run a charges report - pull all the tracked support hours - add charges for the services/products per client (as above) and then export to Quickbooks?
Does this sounds plausible?
I'm looking for suggestions here on the optimal way to make this work.
Thanks in advance!
Joe-
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